MET (Metlife Inc) Technical Analysis

MET Technical Analysis leverages historical price and volume data to provide real-time indicator values and signals, including RSI, MACD, Bollinger Bands, and volume, to reflect market momentum, volatility ranges, and price-volume dynamics. It also integrates market sentiment metrics such as the VIX volatility index, Advance-Decline ratio (A/D ratio), and Put/Call options ratio for broader market context. Multi-timeframe views span from minute intervals to daily, weekly, and monthly charts, making it easy to track indicator behavior across periods. Key support and resistance levels are displayed alongside current prices, calculated via pivots, Fibonacci retracements, and historical extremes to offer an immediate overview of market structure.
MET
MET

Metlife Inc

$86.95+2.81%
Today's High$87.42
Today's Low$84.52
Today's Open$84.53
Yesterday's Close$84.57

MET (Metlife Inc) Technical Analysis Overview

AI CreationAs of June 30, 2026, MetLife Inc (MET) is showing mixed technical signals with near-term consolidation offsetting longer-term bullish structure. The MACD Level at 1.0456 generates a Sell signal on the daily timeframe, indicating momentum moderation, while the RSI(14) reading of 50.7158 sits in the neutral zone, reflecting balanced buying and selling pressure with no clear directional bias. The EMA(10) at 85.7223 and EMA(20) at 85.1915 carry Sell signals, yet the EMA(50) at 82.478 and SMA(200) at 78.3891 both maintain Buy signals, confirming that intermediate-term support remains intact despite short-term weakness. The moving average alignment reveals a consistent bullish structure across longer timeframes, yet short-term momentum has stalled and consolidation pressures are building despite the broader uptrend foundation.

Oscillators

Strong Sell
Strong Buy
Buy
1
Sell
7
Neutral
3
Buy

Summary

Strong Sell
Strong Buy
Strong Buy
1
Sell
8
Neutral
17
Buy

Moving Averages

Strong Sell
Strong Buy
Strong Buy
0
Sell
1
Neutral
14
Buy

MET (Metlife Inc) Live Candlestick Chart

MET (Metlife Inc) Multi-Timeframe Technical Rating

Summary1H4H1D1W
Moving Averages (15)131140140131
Oscillators (11)NeutralNeutralNeutralNeutral
RSI (14)61.757.658.462.4
MACD (12,26)Golden CrossGolden CrossGolden CrossGolden Cross

MET (Metlife Inc) Technical Indicator Interpretation

Based on 1-day closing price series

Oscillators

NameValueOperation
RSI(14)
58.4889Neutral
Stochastic %K (14, 3, 3)
32.8431Neutral
Commodity Channel Index (CCI) (20)
34.4741Neutral
Average Directional Index (ADX) (14)
21.0317Buy
Awesome Oscillator (AO)
1.5283Neutral
Momentum Indicator (10)
-0.1Buy
MACD Level (12, 26)
1.0886Sell
Stochastic RSI Fast (3, 3, 14, 14)
18.2529Neutral
Williams Percent Range (%R) (14)
-42.6471Neutral
Bull Bear Power (BBP)
0.7931Buy
Ultimate Oscillator (UO) (7, 14, 28)
41.5145Neutral

Moving Averages

NameValueOperation
EMA (10)
85.9898Buy
SMA (10)
86.01Buy
EMA (20)
85.3811Buy
SMA (20)
85.8285Buy
EMA (30)
84.4437Buy
SMA (30)
84.8097Buy
EMA (50)
82.6622Buy
SMA (50)
82.3744Buy
EMA (100)
80.2702Buy
SMA (100)
77.8276Buy
EMA (200)
79.0127Buy
SMA (200)
78.4209Buy
Ichimoku Kinko Hyo Base Line (9, 26, 52, 26)
85.065Neutral
Volume-Weighted Moving Average (VWMA) (20)
85.7985Buy
Hull Moving Average (HMA) (9)
85.6488Buy

MET (Metlife Inc) Pivot Points

Based on 1-day timeframe

PriceClassicFibonacciCamarillaWoodieDM
R3103.133294.023387.115298.6749-
R294.023390.543386.280194.1474-
R189.316688.393385.445189.56591.67
Pivot P84.913484.913484.913485.037586.09
S180.206781.433483.774980.455182.56
S275.803579.283482.939975.9276-
S366.693675.803582.104871.3451-

MET (Metlife Inc) Market Sentiment Index

Analyst Rating92.25
Options Put/Call Ratio+481.71%
Implied Volatility (IV)30.9574

MET (Metlife Inc) Deep Technical Analysis

As of June 30, 2026, MetLife Inc (MET) is exhibiting a mixed technical structure with divergent signals across short and intermediate timeframes. The **MET technical analysis** reveals an RSI(14) value of 50.7158, positioning the asset in the neutral zone (45–55 range), which confirms balanced multidirectional participation with no pronounced momentum bias. The MACD Level at 1.0456 generates a Sell signal on the daily timeframe, reflecting net momentum contraction, and this divergence between price stability and momentum weakness reinforces that near-term buying pressure has dissipated. The Average Directional Index(14) stands at 22.525 with a Neutral signal, indicating a moderately weak trend structure with directional persistence despite the recent momentum loss. The Commodity Channel Index(20) at negative 24.2139 registers as Neutral, suggesting that price oscillation remains within typical bands and has not yet reached extreme reversal territory. The Momentum(10) at negative 2.92 with a Sell signal reinforces that absolute momentum remains negative, collectively confirming that trending structure persists even as immediate near-term momentum has weakened. The moving average system reveals a critical structural alignment in the MET price forecast. The EMA(10) at 85.7223 and EMA(20) at 85.1915 both carry Sell signals, indicating that short-term price momentum has turned negative, while the EMA(50) at 82.478 maintains a Buy signal and the SMA(200) at 78.3891 anchors the longer-term uptrend. This configuration confirms that MetLife remains embedded within a longer-term bullish structure, with the EMA(50) serving as a reliable medium-term support floor and the SMA(200) establishing the broader uptrend foundation despite current consolidation. In terms of key levels, the Fibonacci retracement framework identifies resistance targets at R1 (84.8443), R2 (86.8857), and R3 (90.19), with support anchored at S1 (78.2357), S2 (76.1943), and S3 (72.89). The current price of 84.75 sits just below the R1 resistance level, suggesting that near-term price action is testing intermediate resistance, and any sustained advance would require a decisive break above R2 to confirm renewed buying momentum toward R3. Support near the EMA(50) at 82.478 and the S1 Fibonacci level at 78.2357 would provide initial downside protection should consolidation intensify, while the near-term MET price prediction remains contingent on whether buyers can overcome the R2 barrier. On the market breadth front, the implied volatility at 31.7584 reflects elevated market uncertainty with meaningful hedging costs, suggesting that options traders are pricing in notable near-term price movement. The Put/Call ratio at 103.37 indicates strong defensive positioning and persistent hedging demand among options participants. The analyst rating at 92.25 reveals strongly positive sentiment from the research community, suggesting that the broader fundamental view on MetLife remains constructive despite the mixed near-term technical signals, reinforcing a balanced outlook for the MET market analysis where structural support persists beneath near-term consolidation.

FAQ

What is the current technical rating for MET?

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On the 4H timeframe, the aggregate technical rating for MET is Strong Buy. This rating is dynamically aggregated from moving averages and momentum oscillators to reflect the prevailing trend direction and price velocity.

Where are the key support and resistance levels for MET?

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What are the current RSI and MACD signals for MET?

x

How often is the MET technical analysis data updated?

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